Garo Aktiebolag (publ)

SSE:GARO.ST

26.6 (SEK) • At close February 20, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) SEK.

2024 Q22024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q42020 Q32020 Q22020 Q12019 Q42019 Q32019 Q22019 Q12018 Q42018 Q32018 Q22018 Q12017 Q42017 Q32017 Q22017 Q12016 Q42016 Q32016 Q22016 Q12015 Q42015 Q12014 Q4
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 21.411.35010.713.811.929.538.718.973.381.646.411.768.969.44.514.919.640.87.47.17.28.45.38.320.128.214.915.72441.614.615.612.923.2-2222
Kortetermijnbeleggingen 00000000000000000000000000000000000440
Liquide middelen en kortetermijnbeleggingen 21.411.35010.713.811.929.538.718.973.381.646.411.768.969.44.514.919.640.87.47.17.28.45.38.320.128.214.915.72441.614.615.612.923.22222
Nettovorderingen 358.1335.4299356.8427.6444.7364.8326.6342.9366.5345.1313.9336.9284.7238.6264.3211.4215.3212.8228.2220.4216.1229.8204.8189.6173.9196.7177.1163.2170.8163.5148.6136.2131.5127.7099.5
Voorraad 405.1395.4395.2396.6391.6351.1344.9319.7300.5267.5242.1219.7205.8195.7182.5185.6181.2166.3170.4166.4189.6178.1161.8143.8151.2163.3142.8133.4126.7110.697.399.79794.892.3088.9
Overige vlottende activa 00.219.127.90.270.213.1326.60.1366.5357.8313.9336.9284.7251.2-0.1231226.3224.6238.5233.4228.60.1217.1207187.5205.6188.3173.2177.7167.74.86.74.1133.503.1
Totaal vlottende activa 784.6742.3763.3792833.2807.7752.3685662.4707.3681.5580554.4549.3503.1454.3427.1412.2435.8412.3430.1413.9400.1366.2366.5370.9376.6336.6315.6312.3306.6267.7255.5243.324922213.5
Niet-vlottende activa:
Materiële vaste activa, netto 282.2289.1285.2298.3331.8303.6268.6167.2154.1149.5144.1146.3145.8140140.4146.5146.1142.3146.1149.1145.7112100.4101.6101.3103.197.893.88273.258.858.257.457.257.4056
Goodwill 0045.500045.500045.500045.500039.600039.600039.60000000001.3
Immateriële activa 0138.6100.4139.7138.8135.482.2123.5119.2113.762.6103.6101.397.948.186.582.272.127.861.960.45715.55352.950.410.333.832.6358.688.18.18.500.8
Goodwill en immateriële activa 135.8138.6145.9139.7138.8135.4127.7123.5119.2113.7108.1103.6101.397.993.686.582.272.167.461.960.45755.15352.950.449.933.832.6358.688.18.18.502.1
Langetermijnbeleggingen 2.72.4-49.75.44.7004.23.82.9-31.33.64.45.1-19.2000-18.8000000-50.4-17.67000000000
Belastingvorderingen -135.8-2.44.2-5.4-4.704.1-4.2-3.8-2.93.2-3.6-4.4-5.16.20008.100010.3009.79.6-7000000000
Overige niet-vlottende activa 135.82.449.75.4-470.64.10.84.23.92.931.33.64.45.119.26.77.17.918.899.210-0.111.89.650.417.6140000000-228.2
Totaal niet-vlottende activa 420.7430.1435.3443.4475.3443.1401.2294.9277.2266.1255.4253.5251.5243240.2239.7235.4222.3221.6220215.3179165.7166.4163.8163.2157.3134.6114.6108.267.466.265.565.365.9-2266.3
Totaal activa 1,205.31,172.41,198.61,235.41,308.71,250.81,153.5979.9939.6973.4936.9833.5805.9792.3743.3694662.5634.5657.4632.3645.5592.9565.8532.6530.3534.1533.9471.2430.2420.5374333.9321308.6314.90279.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 167139183.3176.8188.4195.4187.4146.3145.7145166.5127.6136127.5123.9100.2100.2106.5118.289.9118.5104.4103.487.580.893.293.791.585.482.867.464.460.263.860.5044.2
Kortlopende schulden 187212.5193.8192.7229.5163.774.234.922.421.319.421.222.522.922.226.121.59.820.936.941.51317.734.962.435.44633.431.419.913.815.126.12610.4026.3
Belastingschulden 0000002100018.70007.100015.700019.100013.800013.600015.800
Uitgestelde opbrengsten 00011.2000000103.600075.500081.2000840007600061.800052.300
Overige kortlopende verplichtingen 120129.1126.7136.5141.6153.1169.8139.9140.5143.236.8122.2120.9115.428.7102.7101.892.225.3116.6111.5110.624.694.592.58721.182.98078.719.962.161.360.515.7051
Totaal kortlopende verplichtingen 474480.6503.8517.2559.5512.2431.4321.1308.6309.5326.3271279.4265.8250.3229223.5208.5245.6243.4271.5228229.7216.9235.7215.6236.8207.8196.8181.4162.9141.6147.6150.3138.90121.5
Langlopende verplichtingen:
Langetermijnschulden 75.976.722.2100.293.193.99948.548.450.352.853.255.952.758.561.864.164.265.565.567.938.836.437.738.837.838.331.624.319.210.51111.211.912.4015
Uitgestelde opbrengsten niet-vlottend 000000000005.2000000000000000001.50000000
Uitgestelde belastingverplichtingen niet-vlottend 00000000.10000.50.40.60.50.80.41.61.11.92224.34.64.64.55.1554.6666600
Overige niet-vlottende verplichtingen 58.37.263.17.89.2998.687.16.3-0.15.23.73.72.22.22.22.21.71.61.61.51.61.61.61.61.51.5-0.31.60.90.90.90.707.6
Totaal niet-vlottende verplichtingen 134.283.985.3108102.3102.910857.256.457.459.158.861.55762.764.866.76868.869.171.542.439.943.6454444.438.230.825.416.717.918.118.819.1022.6
Totaal passiva 608.2564.5589.1625.2661.8615.1539.4378.3365366.9385.4329.8340.9322.8313293.8290.2276.5314.4312.5343270.4269.6260.5280.7259.6281.2246227.6206.8179.6159.5165.7169.11580144.1
Eigen vermogen:
Preferente aandelen 00000000000.900000000000000000000000000
Gewone aandelen 2020202020202020202020202020202020202020202020202020202020202020202014014
Ingehouden winsten 557.5566.1574.2574.1603.5603.6582.9576549.5586.1532.4480.8442.1446.6407.4377.2349.4333.7320.4293.5275.9297.4272.6247.4224.7249.7230.6205.2182193.1174.5153.9136.4120.9144.60120.2
Overige gereserveerde algehele resultaten 18.120.313.814.621.910.69.74.15.10.4-0.92.92.92.92.932.94.32.66.36.65.13.64.74.94.82.100.60.6-0.10.5-1.1-1.4-1.7135.71.5
Overige totale aandeelhoudersvermogen 1.51.51.51.51.51.51.51.500-0.9000000000000000000000-00-000
Totaal eigen vermogen van aandeelhouders 597.1607.9609.5610.2646.9635.7614.1601.6574.6606.5551.5503.7465469.5430.3400.2372.3358343319.8302.5322.5296.2272.1249.6274.5252.7225.2202.6213.7194.4174.4155.3139.5156.9135.7135.7
Totaal eigen vermogen 597.1607.9609.5610.2646.9635.7614.1601.6574.6606.5551.5503.7465469.5430.3400.2372.3358343319.8302.5322.5296.2272.1249.6274.5252.7225.2202.6213.7194.4174.4155.3139.5156.9135.7135.7
Totaal passiva en aandeelhoudersvermogen 1,205.31,172.41,198.61,235.41,308.71,250.81,153.5979.9939.6973.4936.9833.5805.9792.3743.3694662.5634.5657.4632.3645.5592.9565.8532.6530.3534.1533.9471.2430.2420.5374333.9321308.6314.9135.7279.8